KERRY PLAYGROUP

Registered charity 1037882 · accounts filings on the Charity Commission register

We cover the seven areas of learning within four sessions each week. A parent and toddler group operates alongside. We organise various fundraisers throughout the year as well as social events - such as Fun Days, Baby Sales, Singalongs, Easter, Halloween and Christmas parties for the children. Our Sports Day is held in July.

Causes: Education/training · Get email alerts

Latest income
£76k
Latest spending
£71k
Registered
1994
Accounts read
FY2025

Financial health, per its FY2025 accounts

The accounts state that the charity generated a surplus of £5,559.85 for the year ended 31 July 2025, with total income of £76,480.99 against total expenditure of £70,921.14. Per the trustees' report, the charity holds cash reserves to ensure cashflow and timely payment of staff and overheads, with no concerns regarding its ability to continue as a going concern.

Automated summary of the FY2025 accounts; the evidenced findings below carry the verbatim passages.

What the accounts disclose

Reserves policy: cash reserves in order to ensure cashflow, and to enable us to pay our staff, our building rent and other overheads in a timely manner (held: £10k)
We carry any cash reserves in order to ensure cashflow, and to enable us to pay our staff, our building rent and other overheads in a timely manner.
Per its FY2025 accounts as filed with the Charity Commission.

Accounts independently examined (not a full audit). Discloses 4 of 6 completeness components.

Trustees · trustee networks

Trustee list from the Charity Commission register (current, not historical).

Operates in: Powys

Income and spending

Financial year endIncomeSpending
31/07/2025£76k£71k
31/07/2024£68k£51k
31/07/2023£41k£46k
31/07/2022£34k£37k
31/07/2021£27k£26k

Common questions

Is KERRY PLAYGROUP financially healthy?

Per its FY2025 accounts: The accounts state that the charity generated a surplus of £5,559.85 for the year ended 31 July 2025, with total income of £76,480.99 against total expenditure of £70,921.14. Per the trustees' report, the charity holds cash reserves to ensure cashflow and timely payment of staff and overheads, with no concerns regarding its ability to continue as a going concern. Its FY2025 accounts were independently examined.